Financial Suite > Bank Book
This feature offers you an easy way to do transfers of monies between your
different banks. The transactions will automatically update your general
ledger.
When performing your bank transactions, it is normal for the bank to
charge for the services. This charge will be captured by the system and it
will be updated into the general ledger.
Instead of doing the monthly printing out of your bank balances from your
GL account, TaskHub offers you a simpler way to reconcile your bank
balances in the system. Unpresented cheques and cheques in advance will
be kept in the system for the next round of reconcilliation.
Other Features:
Show details
- Loans to Employees/Customer/Supplier
- Combining of Multiple Cheques into One Single Voucher
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